This practical guide on the management of financial risk is an essential reference source for a wide range of professionals in fields related to financial services. The book adopts a highly practical approach and helps the reader to understand the main classes of risk affecting a financial institution and how they are managed. The clear layout encourages the reader to dip in to the book for guidance on particular subject areas, making this title an essential guide on the subject.
Sprache
Verlagsort
Verlagsgruppe
Bloomsbury Publishing PLC
Zielgruppe
Maße
Höhe: 236 mm
Breite: 156 mm
ISBN-13
978-0-406-92956-3 (9780406929563)
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Schweitzer Klassifikation
"Risks and their relationships. The regulatory agenda. Measuring risks. Controlling risks. Control of market risk. Control of credit risk. Control of operational risk. Control of counterparty risk. Control of legal risk. Control of systemic risk."